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Faris is a whole seller, both sides of trial balance of his business as of 31 December was equal. On subsequent check. the following errors

Faris is a whole seller, both sides of trial balance of his business as of 31 December was equal. On subsequent check. the following errors were detected: 1) Cash purchases of $23,000 from supplier Wafa was recorded as $32,000 in her account and cash purchases of $32.000 from supplier Amel was recorded as $23,000 in her account. 2) Cleaning expense of $13,500 paid by cheque, recorded debit in bank account and credit in cleaning expense. 3) Building's maintenance expenses of $1.750 has been recorded in the Building's asset account. 4) $20,000 cash received from customer not recorded in accounting's books. 5) Paid salaries to employees of $17.000 cash has been recorded in relevant accounts as $27.000 Required: General journal entries to correct above errors IMPORTANT NOTES Write your answer inside the box below, do not upload any file. Your answers should include (Account. Amount Debit or Credit) Write each entry in separate line

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